4Qu are buying stock in a growing company by selling your bonds with a 5\% yicld. They pay no dividends right now. The stock currently trades at ¥12000 per share. make a forecast of the stock price a year later. How high suould it be for you to be willing to buy shates to day? b) mutual fund is deciding to purchase shares in two different comparies which are mature. Assume, wrrent stock prices as P a

and P b

expected dividends over next year as D a

and D b

assume they have same growth rate. write the condition in which the mutual fund will inves in company A using GORDON GROWTH MODEL.

Answers

Answer 1

The mutual fund will invest in company A if P0,b * D1,a > P0,a * D1,b.

a)To determine the forecast of the stock price after a year, you need to use the Gordon growth model, which is given by:

Gordon growth model:

P0 = D1 / (ke - g)

Where:

P0 is the current stock price

D1 is the expected dividend after one year

ke is the required rate of return on the stock

g is the growth rate in dividends

Assuming that the stock price will increase by X percent after a year, we can say that the stock price one year from now (P1) will be:

P1 = P0 + X * P0

= P0(1 + X)

Given that the company currently pays no dividends, D1 = 0.

Assuming that the required rate of return is 5%,

ke = 5%.

Hence, we have:

P0 = 12000, ke = 5%, g = 0.0%

P1 = P0(1 + g)

= 12000(1 + 0.0%)

= 12000

Therefore, the forecast of the stock price a year later is ¥12,000.

b)The Gordon growth model for company A is given by:

P0,a = D1,a / (ke - g)

We know that both companies have the same growth rate in dividends

(g). Hence, we can compare the stocks using their dividend yield (DY), which is given by:

DY = D0 / P0

where:

D0 is the current dividend per share

P0 is the current stock price

If the mutual fund wants to invest in company A, then the dividend yield for company A must be higher than that of company B.

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Related Questions

If on December 1, 2017, TimkenSteel were to have sold long-lived equipment with a historical cost of $10 and accumulated depreciation of $8 for $4.5 cash, what would be the impact on the FY 17 statement of cash flow subtotals "Net Cash Provided by Operating Activities", "Net Cash Used by Investing Activities"?" No change in Net Cash Provided by Operating Activities, and less negative Net Cash Used by Investing Activities Increase in Net Cash Provided by Operating Activities, and no change in Net Cash Used by Investing Activities Decrease in Net Cash Provided by Operating Activities, and more negative Net Cash Used by Investing Activities Increase in Net Cash Provided by Operating Activities, and less negative Net Cash Used by Investing Activities

Answers

The correct answer is: No change in Net Cash Provided by Operating Activities, and less negative Net Cash Used by Investing Activities.

The impact on the FY 17 statement of cash flow subtotals would be as follows:

1. Net Cash Provided by Operating Activities: No change.

The sale of long-lived equipment is classified as an investing activity, not an operating activity. Therefore, it would not directly impact the "Net Cash Provided by Operating Activities" subtotal.

2. Net Cash Used by Investing Activities: Less negative.

Selling long-lived equipment for cash would result in a cash inflow in the investing activities section. Since the historical cost of the equipment was $10 and accumulated depreciation was $8, the book value of the equipment would be $2. Selling it for $4.5 cash would result in a gain on the sale of $2.5 ($4.5 - $2). This gain would be subtracted from the "Net Cash Used by Investing Activities" subtotal, making it less negative.

Therefore, the correct answer is: No change in Net Cash Provided by Operating Activities, and less negative Net Cash Used by Investing Activities.

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pois J Corp. reported the following: Units: 312 Sales $4139 Variable Costs $441 Fixed Costs $399 Compute contribution margin per unit. Round ONLY your final answer to 2 decimal places. Do not round intermediate computations. Save Answ

Answers

The contribution margin per unit for Pois J Corp. is $11.85. This means that each unit sold contributes $11.85 towards covering the company's fixed costs and generating profits.

Pois J Corp. has reported its units, sales, variable costs, and fixed costs. We need to compute the contribution margin per unit. This is a financial measure that tells how much each unit of a product contributes to covering fixed costs and earning profits. It is calculated by subtracting variable costs from the sales price.
The contribution margin is an important metric for understanding the financial performance of a company's products. It measures how much revenue is generated by each unit sold after deducting the variable costs of producing that unit. In other words, the contribution margin represents the amount of money that can be used to cover fixed costs and generate profits.
Contribution margin per unit = Sales price per unit - Variable cost per unit. Pois J Corp. reported that it sold 312 units for a total of $4139. It also reported variable costs of $441 and fixed costs of $399.
Sales price per unit = $4139 / 312 units = $13.26
Variable cost per unit = $441 / 312 units = $1.41
Contribution margin per unit = $13.26 - $1.41 = $11.85.

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1. When Siddhartha is about to drown himself in the river after leaving Kamala and Kamaswami, what sound does he hear that causes him to stop?
2, "To save further trouble," what does Langston Hughes decide to lie about in Salvation?
3. In The Declaration of Independence by Thomas Jefferson, Jefferson enumerates four unalienable rights including Life, Liberty, and Happiness. What is the fourth one?
4. When Abraham Lincoln delivered his Gettysburg Address in 1863, did he think anyone would remember it?

Answers

1. Siddhartha hears the sound of "Om" and stops from drowning.

2. Langston Hughes lies about being saved to avoid disappointing others.

3. The fourth unalienable right in the Declaration of Independence is the pursuit of happiness.

4. It is uncertain whether Lincoln thought his Gettysburg Address would be remembered, but it became a significant and memorable speech.

1. When Siddhartha is on the verge of drowning himself in the river, he hears the sound of the sacred syllable "Om" being chanted, which resonates deeply within him and causes him to pause.

2. In Langston Hughes' "Salvation," he decides to lie about seeing Jesus and being saved in order to avoid disappointing his aunt and the congregation, as well as to conform to their expectations.

3. The fourth unalienable right enumerated by Thomas Jefferson in The Declaration of Independence is the pursuit of happiness, which emphasizes the individual's freedom to seek personal fulfillment and well-being.

4. It is unclear whether Abraham Lincoln thought anyone would remember his Gettysburg Address when he delivered it in 1863. However, the eloquence and enduring significance of his speech have ensured its remembrance as one of the most iconic speeches in American history.

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Eli purchased an investment for $1,000. It generated the following stream of cash flows. His internal rate of return was A) 10.65%. B) 6.67%. Sep 06, 2022Return and RiskFIN 380 C) 9.70%. D) 8.90%.

Answers

The internal rate of return for the stream of cash flows that Eli generated is 8.90%.

To determine the internal rate of return for Eli's stream of cash flows, we will use the following formula:

PV = CF1/(1+ r)^1 + CF2/(1+ r)^2 + ... + CFn/(1+ r)^n Where:PV = Present value of the cash flowsCF1, CF2, ..., CFn = Cash flows in years 1, 2, ..., n;r = Discount rate that represents the internal rate of return. We know that Eli purchased the investment for $1,000, and it generated the following stream of cash flows: Year 1: $300Year 2: $400Year 3: $500Using the formula above and substituting the given values, we can solve for the discount rate that represents the internal rate of return:

$1,000 = $300/ (1+ r) ^1 + $400/ (1+ r) ^2 + $500/(1+ r) ^3

Simplifying: $1,000 = $300/ (1+ r) + $400/(1+ r) ^2 + $500/ (1+ r) ^3

Dividing both sides by $1,000:1 = $300/$1,000/ (1+ r) + $400/$1,000/ (1+ r) ^2 + $500/$1,000/(1+ r) ^3

Simplifying:1 = 0.3/ (1+ r) + 0.4/ (1+ r) ^2 + 0.5/(1+ r) ^3

However, a quicker way is to use Microsoft Excel's IRR function to calculate the internal rate of return. Using the cash flows above, the IRR function returns a value of 8.90%.

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A telephone company is surveying the use of mobiles in British family. For one thousand of families. They record the satisfaction level using the numbers 1 to 4 as follows: 1 = very unsatisfied, 2 = unsatisfied, 3 = satisfied, 4 = very satisfied. What type of variable is the satisfaction level?
a. Numerical and discrete
b. Numerical and continuous
c. Categorical and nominal
d. Categorical and ordinal
e. Numerical and ordinal

Answers

The type of variable is the satisfaction level is (d) categorical and ordinal. A variable can be classified as categorical if it represents characteristics of the subject of the experiment and it is classified as nominal or ordinal.

Categorical variables can be classified into nominal or ordinal variables depending on their characteristics:Nominal variables. A nominal variable represents a characteristic of an individual that can be placed into a finite number of groups or categories.

Example: type of fuel used in a car, a type of soil in a certain region.Ordinal variables. An ordinal variable represents a characteristic of an individual that can be placed into some order or scale. Example: levels of satisfaction with the quality of food in a restaurant (unsatisfied, neutral, satisfied).

In the given question, the satisfaction level is represented using numbers 1 to 4 and they represent the order of satisfaction. Therefore, the satisfaction level is (d) categorical variable.

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Four years ago, you purchased a bond with maturity of 20 years, 8% coupon rate with semi-annual payments and par value of $1000. Currently, it is selling for $978.65. What is the YTM on this bond? Compute via business calculator

Answers

The yield to maturity (YTM) of a bond is the rate of return an investor would receive if they held the bond until maturity and received all of its interest payments.

It's an essential metric for bond investors, as it gives them an indication of the bond's total return over its life span.

The calculation of YTM can be done by using the formula of Yield to Maturity for a Bond:

[tex]YTM = [ ( FV / PV ) ^(1/n) - 1 ] * m[/tex]

Where,

FV = Future Value or Par Value
PV = Present Value or Purchase Price
n = Number of years to maturity
m = Number of coupon payments per year

Given Data:
Coupon rate = 8%
Par value (FV) = $1000
Semi-annual coupon payment = 8% * $1000 / 2 = $40
Bond purchase price (PV) = $978.65
Number of years to maturity = 20 years
Coupon payments per year (m) = 2

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digital technologies that used by Airbnb.
explain it very well

Answers

Airbnb is a famous and widely used digital platform that facilitates the booking and rental of private accommodation and homestays. It is known for its use of digital technology in delivering its services.

Below are the digital technologies that are used by Airbnb to enhance its operations:

1. Website and Mobile Application: Airbnb's website and mobile application are designed to be user-friendly, enabling users to easily navigate and book their preferred accommodations.

2. Search Engine Optimization (SEO): Airbnb's website is optimized to appear at the top of search engine results, making it more visible and accessible to potential customers.

3. Artificial Intelligence (AI): Airbnb uses AI to analyze the browsing and booking patterns of users and recommend personalized accommodations based on their preferences.

4. Machine Learning: Airbnb's algorithms use machine learning to predict which accommodations are likely to be in high demand, and adjust prices accordingly.

In conclusion, Airbnb uses a variety of digital technologies to deliver its services, enhance customer experiences, and improve its operations. These technologies have helped the platform to grow rapidly and become one of the most popular accommodation booking platforms globally.

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How can you apply the knowledge of Organizational Behavior in the post-Covid-19 business world and hope to improve the productivity of individuals?

Answers

Organizational behavior is the study of how individuals, groups, and structures influence behavior within organizations. In the post-Covid-19 business world, the application of knowledge of organizational behavior is necessary to improve the productivity of individuals.

Here are a few ways to apply organizational behavior in the post-Covid-19 business world and improve the productivity of individuals:

Adapting to change: Organizations that have been successful in managing the Covid-19 pandemic were able to adapt to change quickly. The knowledge of organizational behavior can help organizations adapt to changes by implementing innovative solutions, team-building exercises, and a positive culture.Developing leadership skills: The post-Covid-19 business world requires individuals to have excellent leadership skills. With the knowledge of organizational behavior, individuals can develop leadership skills that can help to lead teams during times of crisis. Effective leaders can inspire their teams and improve productivity.Emphasizing employee: Organizations should prioritize employee well-being to improve productivity. The knowledge of organizational behavior can help organizations create a culture of care that values employee well-being. The implementation of employee assistance programs, mental health support, and opportunities for growth and development can help to improve employee well-being, productivity, and overall organizational success.

Creating a culture of teamwork: Teamwork is critical to the success of organizations. The knowledge of organizational behavior can help organizations create a culture of teamwork by emphasizing the importance of collaboration, communication, and shared values. A team-oriented culture fosters an environment of productivity, trust, and shared success.

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Penny Pincher is paid 50c for each towel she weaves, but she is guaranteed a minimum wage of $60 for a 40 hour week. In a series of four weeks, she makes 100, 120, 140 and 160 towels.
Required
Calculate her pay each week, and the conversion cost per towel if production overhead is added at the rate of $2.50 per direct labour hour.

Answers

The conversion cost per towel, considering the production overhead rate of $2.50 per direct labor hour, cannot be determined without knowing the number of direct labor hours required to weave a towel.

To calculate Penny Pincher's pay each week, we need to consider two scenarios: when her earnings based on the number of towels exceed the minimum wage, and when they fall below it.

In the first week, Penny makes 100 towels, earning 50c per towel. Her total earnings for that week are 100 towels * $0.50 = $50, which is below the minimum wage of $60. Therefore, she is paid the minimum wage of $60.

In the second week, Penny makes 120 towels, earning 120 towels * $0.50 = $60. Since this amount matches the minimum wage, she is paid $60.

In the third week, Penny makes 140 towels, earning 140 towels * $0.50 = $70, which exceeds the minimum wage. Hence, she is paid $70.

In the fourth week, Penny makes 160 towels, earning 160 towels * $0.50 = $80. Again, her earnings exceed the minimum wage, so she is paid $80.

Now let's calculate the conversion cost per towel by factoring in the production overhead of $2.50 per direct labor hour. The number of direct labor hours required to weave a towel is not provided, so we cannot determine the exact conversion cost per towel without that information.

However, if we assume that each towel takes 1 hour to weave, the conversion cost per towel would be $2.50. This calculation is made by multiplying the production overhead rate by the number of direct labor hours, which in this case is 1 hour: $2.50 * 1 hour = $2.50.

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Walter wants to retire with $1,022,000.00. How much does Walter need to save each year for 10 years if he wants to retire in exactly 10 years, can earn 11.19 percent on his savings, starts saving in exactly 1 year, saves an equal amount each year, and has $39,800.00 in his account today?(Round the value to 0 decimal and enter the positive value)

Answers

Walter needs to save $44,468.52 each year for 10 years to meet his retirement goal.

We know that

Present Value = Future Value / (1 + r)ⁿ

Where: Future Value = $1,022,000.00, r = 11.19%, n = 10

Starting at year 1, the present value :

PMT = FV × [tex](r+1)^{n}[/tex]

PMT = (FV × r) / [[tex](r+1)^{n}[/tex] - 1]PMT = ($1,022,000.00 × 0.1119) / [(1 + 0.1119)¹⁰ - 1]

PMT = $44,468.52

Therefore, he needs to save $44,468.52 each year for 10 years.

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Which of the following statements is false?
Social entrepreneurs only start nonprofits.
An opportunity-identifying perspective determines how a problem can be translated into a new opportunity to create a new venture.
Part of the entrepreneurial perspective is solving problems to make lives easier.
The Burt’s Bees product line grew from an idea for a lifestyle entrepreneurial venture into a major company.

Answers

The false statement is: Social entrepreneurs only start nonprofits to answer a need in their community or a larger cause. Instead of making significant amounts with their organization, they'll reinvest the profits into the business to ensure its long-term success.

Social entrepreneurs are individuals who apply entrepreneurial principles and strategies to solve social and environmental problems. While many social entrepreneurs do start nonprofits, it is not true that they only start nonprofits. Social entrepreneurs can also start for-profit ventures or hybrid organizations that have a social mission. The important aspect of social entrepreneurship is the focus on creating a positive social impact, regardless of the legal structure of the organization.

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What is the amount of the tax liability for a married couple filing jointly with taxable income of $135,500 ? Use the appropriate Tax Rate Schedules. Multiple Choice $29,810 $20,325 $25,158 $21,307

Answers

To find out the tax liability for a married couple filing jointly with taxable income of $135,500, we can use the Tax Rate Schedules. The Tax Rate Schedules help us determine the tax liability based on the taxable income and the tax rate that applies to that income range.

For 2021, the Tax Rate Schedules are as follows:

Tax Rate Schedule for Single Filers:10% on income from $0 to $9,95012% on income from $9,951 to $40,52522% on income from $40,526 to $86,37524% on income from $86,376 to $164,92532% on income from $164,926 to $209,42535% on income from $209,426 to $523,60037% on income over $523,600Tax Rate Schedule for Married

Filing Jointly or Qualifying Widow(er):

10% on income from $0 to $19,90012% on income from $19,901 to $81,05022% on income from $81,051 to $172,75024% on income from $172,751 to $329,85032% on income from $329,851 to $418,85035% on income from $418,851 to $628,30037% on income over $628,300

Now, let's use this Tax Rate Schedule for our problem. The taxable income for the married couple filing jointly is $135,500, which falls into the 24% tax bracket.

We can use the following formula to calculate their tax liability:

Tax Liability = [(Taxable Income - Lower Limit) x Tax Rate] + Base TaxFor this couple, the Lower Limit is $172,751 and the Tax Rate is 24%. We need to subtract the Lower Limit from the Taxable Income to find the amount that falls within the 24% tax bracket:Taxable Income - Lower Limit = $135,500 - $172,751 = -$37,251

Since the result is negative, there is no income that falls within the 24% tax bracket. Therefore, their tax liability will be based on the lower tax bracket of 22%.

We can use the same formula with the Lower Limit and Tax Rate for the 22% tax bracket:Tax Liability = [(Taxable Income - Lower Limit) x Tax Rate] + Base TaxTax Liability = [($135,500 - $81,051) x 0.22] + $9,075Tax Liability = ($54,449 x 0.22) + $9,075Tax Liability = $11,978.78

Therefore, the tax liability for the married couple filing jointly with taxable income of $135,500 is $11,978.78.

The answer is not one of the options given, so we can conclude that this question does not have a correct answer choice.

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Describe how interest rate changes affect the savings rate in the United States. How do banks adjust interest rates on deposits and loans? What would your targeted personal savings rate be postgraduation and why? How does the textbook describe the "life stages of the individual saver," and what stage are you in?

Answers

Interest rate changes affect the savings rate in the United States through banks and other financial institutions in the economy. Changes in the interest rate impact these institutions’ operations because the rate of interest will directly affect the cost of borrowing or lending money.

The United States' Federal Reserve bank sets the interest rates. When the Fed increases the interest rates, banks, and other financial institutions borrow from the Fed at a higher interest rate. In turn, these institutions will increase the interest rates on the loans to their customers to make a profit or remain competitive with the cost of money from the Federal Reserve bank. Consequently, borrowing money from banks will become more expensive, reducing the demand for credit.

Moreover, the increase in the interest rate will result in banks offering higher interest rates on deposits to attract more funds to meet loan demand. The overall effect of the higher interest rate is to encourage savings and reduce spending. How banks adjust interest rates on deposits and loansBanks adjust interest rates on deposits and loans to help manage their daily operations. Banks adjust the interest rate on deposits and loans depending on the state of the economy, competitive forces, and the Federal Reserve bank's decisions.

When a bank needs to increase the number of loans issued, they will lower the interest rates on loans to encourage borrowing. Conversely, when the bank experiences low deposits, it may increase interest rates on deposits to attract more customers. Targeted personal savings rate postgraduation and whyMy targeted personal savings rate after graduation would be 30%. This rate is higher than the average savings rate in the US.

The high savings rate is because of the uncertainty of future employment. The higher the savings rate, the easier it is to build up savings over time and make the most of opportunities that may arise. Life stages of the individual saverThe textbook describes the three life stages of the individual saver as follows:

Start-Up: In this stage, savers typically have low earnings and are building a foundation for their financial future. They usually live in shared housing and are not entirely independent.

Early Career: This stage is characterized by a rise in income as the individual establishes themselves in their careers. They may also have more expenses, including their first mortgage and starting a family.

Late Career: This stage is characterized by stable income as the saver is at the peak of their career. They may be planning their retirement or trying to pay off their mortgage. I am currently in the start-up stage as a student, and I am focused on developing good saving habits that will benefit me in the future.

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You have just estimated the historical beta of a risky security and found that this beta is equal to 0. Indicate which of the following statements is most likely correct or incorrect.
Group of answer choices
The fundamental beta will be higher than the historical beta
[ Choose ] Incorrect Correct
The fundamental beta will be lower than the historical beta
[ Choose ] Incorrect Correct
The historical beta of a risky security cannot be equal to zero
[ Choose ] Incorrect Correct
The volatility of this stock can be greater than zero even if its beta is equal to zero
[ Choose ] Incorrect Correct

Answers

The historical beta of a risky security cannot be equal to zero is the most likely correct statement in this scenario.A beta is a measure of the systematic risk, or volatility, of an individual stock in comparison to the market.

It's computed by dividing the covariance of the stock's returns with the market's returns by the variance of the market's returns.The fundamental beta, on the other hand, is determined by an asset's underlying characteristics.

The fundamental beta, unlike the historical beta, cannot be calculated from market data. It's influenced by a variety of variables, including the company's debt-to-equity ratio, size, growth, and earnings quality.

The historical beta of a risky security cannot be zero. This means that the asset's returns are uncorrelated with those of the market. In other words, the asset's price fluctuations are not influenced by changes in the market. However, this is a rare occurrence, and it's more likely that a zero beta calculation is due to measurement or data flaws.The volatility of a stock may be greater than zero even if its beta is zero.

Volatility and beta are two distinct concepts. While beta measures systematic risk, volatility measures total risk, including systematic and unsystematic risk.

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A company uses to chemicals (1 and 2) to manufacture two drugs.
Drug 1 must be at least 60% chemical 1, and drug 2 must be at least
40% chemical 2. Up to 60 oz of drug 1 can be sold at $10 per oz; up

Answers

A company uses two chemicals (1 and 2) to manufacture two drugs. Drug 1 must be at least 60% chemical 1, and drug 2 must be at least 40% chemical 2. Up to 60 oz of drug 1 can be sold at $10 per oz; up to 70 oz of drug 2 can be sold at $12 per oz.

If chemical 1 costs $5 per oz and chemical 2 costs $7 per oz, what are the optimal amounts of chemicals 1 and 2 to minimize cost?Solution:Let x be the amount of chemical 1 used in the production of both drugs. Let y be the amount of chemical 2 used in the production of both drugs.

The total cost of producing both drugs is the sum of the cost of chemical 1 and the cost of chemical 2. So, the cost Therefore, we can use the Lagrange multiplier method to solve the problem.Let L(x, y, λ) = C(x, y) − λ1(x − 0.6(x + y)) − λ2(y − 0.4(x + y))be the Lagrangian of the problem, where λ1 and λ2 are the Lagrange multipliers.

we have:x ≥ 0.6(x + y)18 ≥ 0.6(18 + 108)18 ≥ 78This constraint is satisfied. For drug 2, we have:y ≥ 0.4(x + y)108 ≥ 0.4(18 + 108)108 ≥ 66.4This constraint is also satisfied. Therefore, the optimal amounts of chemicals 1 and 2 to minimize cost are 18 oz and 108 oz, respectively, and the minimum cost is:C(18, 108) = 5(18) + 7(108) = 774Therefore, the optimal amounts of chemicals 1 and 2 to minimize cost are 18 oz and 108 oz, respectively, and the minimum cost is $774.

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Suppose there are two goods, pizza and beverage. Suppose
alp=5082, atp=957, alb=2513, atb=1808, Pp=12400, and Pb=10600. What
is the equilibrium wage?

Answers

The equilibrium wage is approximately 1872.22.

To determine the equilibrium wage, we need to use the concept of marginal product of labor (MPL) and marginal revenue product (MRP).

The formula for MRP is MRP = MPL * MR, where MPL represents the marginal product of labor and MR represents the marginal revenue.

Given the data provided, we have alp (average labor productivity for pizza) as 5082, atp (average total productivity for pizza) as 957, alb (average labor productivity for beverage) as 2513, and atb (average total productivity for beverage) as 1808.

To calculate the equilibrium wage, we need to compare the MRP for each good and find the point where they are equal. Let's assume the wage rate is denoted as W.

For pizza: MRPp = MPLp * MRp = (alp / atp) * Pp

For beverage: MRPb = MPLb * MRb = (alb / atb) * Pb

To find the equilibrium wage, we need to set MRPp equal to MRPb:

(alp / atp) * Pp = (alb / atb) * Pb

Substituting the given values, we have:

(5082 / 957) * 12400 = (2513 / 1808) * 10600

Simplifying the equation, we find:

W = (2513 / 1808) * (10600 * 957 / 5082) ≈ 1872.22

Therefore, the equilibrium wage is approximately 1872.22.

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how you would use this information to create your business plan or use this information to assist with your business needs with Chp 5 in MGMT 2145 Business Plan Development. In Book(BARINGER, PREPARING EFFECTIVE BUSINESS PLANS, 2ND ED 9780133506976).

Answers

Chapter 5 of MGMT 2145 Business Plan Development discusses the Market Analysis section of a business plan. In this chapter, you will learn how to research your target market, identify your target audience, and develop strategies for marketing and sales.

This information is crucial for creating an effective business plan and developing a successful business. Using the information provided in this chapter, you can create a comprehensive market analysis that includes information on your target market, target audience, competition, and industry trends. This analysis will help you identify the strengths and weaknesses of your business, as well as opportunities and threats that may affect your success.

You can use this information to develop a marketing plan that is tailored to your target audience, and to identify strategies for reaching your sales goals. You can also use the information in this chapter to assist with your business needs. For example, if you are developing a new product or service, you can use market research to identify the needs and preferences of your target audience, and to develop a product that meets their needs.

Finally, the information in this chapter can help you develop a realistic financial plan for your business. By identifying your target market and potential sales, you can create financial projections that will help you secure funding and make informed decisions about your business. Overall, the information in Chapter 5 is essential for creating a successful business plan and developing a thriving business.

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flow will be $210,600 a year. What is the net present value of this project if the relevant discount rate is 14 percent and the tax rate is 24 percent? Multiple Choice −$25,519 −$10,519 -$22,967 −$27,482 −$19,379

Answers

The net present value of this project is $19,379 as per the information provided.

NPV = -Initial Investment + (CF1 / (1+r)^1) + (CF2 / (1+r)^2) + ... + (CFn / (1+r)^n),

where CF stands for cash flow,

r is the discount rate, a

nd n is the number of years.

In this case, the initial investment is not given, so we can assume it to be zero. The cash flow each year is $210,600 before taxes and 24% of that goes as taxes.

Therefore, the after-tax cash flow each year is:

$210,600 - 0.24($210,600) = $159,816

We can now substitute this value into the formula and calculate the net present value:

NPV = 0 + ($159,816 / (1+0.14)^1) + ($159,816 / (1+0.14)^2) + ($159,816 / (1+0.14)^3) + ($159,816 / (1+0.14)^4) + ($159,816 / (1+0.14)^5)= $19,379.

Therefore, the net present value of this project is $19,379.

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Complete question:

Flow will be $210,600 a year. What is the net present value of this project if the relevant discount rate is 14 percent and the tax rate is 24 percent? Multiple Choice −

$25,519

$10,519

$22,967

$27,482

$19,379

State whether the following statements are promissory notes or not? And why? A. "I am bound to pay the sum of $500 which I received from you B. "I promise to pay (B) $500 by instalments with a provision that no payment shall be made after my death". C. "I promise to pay (B) a sum of $500 when convenient or able".

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A promissory note is a written commitment to pay a debt. It includes a promise to repay a loan, the amount owed, the interest rate charged, and the repayment terms. It may be traded or sold by the original holder to another party.State whether the following statements are promissory notes or not.

A. "I am bound to pay the sum of $500 which I received from you."This statement is not a promissory note because it does not specify the repayment terms. It does not mention any date or time when the money will be repaid. It does not include an interest rate or any penalties for non-payment. It is merely a statement of an obligation to repay the money.B. "I promise to pay (B) $500 by instalments with a provision that no payment shall be made after my death."This statement is a promissory note because it contains a promise to pay a specified amount of money ($500) over a period of time (by instalments). It includes a provision that payments will cease upon the death of the borrower. It specifies the repayment terms, including the amount, interest rate, and payment scheduleC. "I promise to pay (B) a sum of $500 when convenient or able."This statement is not a promissory note because it does not specify the repayment terms. It does not mention any date or time when the money will be repaid.

It does not include an interest rate or any penalties for non-payment. It is merely a statement of intent to repay the money when the borrower is able to do so.

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Answer the 4 questions with plenty of detail.
If Public Schools is not a good repsentation than feel free to change it to another company/industry
1. Assess how globalization and technology changes have impacted Public Schools 2. Apply the industrial organization model and the resource based model to determine how Public Schools could earn above average returns 3. Assess how the vison statement and misson statement of Public Schools influence its overall success 4. Evaluate how each category of the stakeholder impacts the overall success of Public Schools

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Globalization and technology have impacted Public Schools in a variety of ways, including:

Curriculum: It has influenced how public schools develop and execute their curriculums. For instance, some public schools have begun to incorporate coding and computer programming classes into their curriculums, which is something that was uncommon before. Additionally, globalization has led to a higher focus on teaching students about different cultures and languages, which is something that public schools now prioritize.

Technology: Technology has had a profound impact on public schools. For example, online learning has become more popular as a result of technological advancements, allowing students to take classes from any location. Additionally, technological advancements have made it possible for students and teachers to interact more easily, which can lead to better communication and collaboration.

2.  The industrial organization model examines external factors that can affect a company's profitability, while the resource-based model focuses on the internal factors that can influence a company's success.

Using these models, Public Schools could earn above-average returns by:Reducing costs: Public schools can use the industrial organization model to analyze the competitive environment and find ways to reduce costs. For instance, they could identify ways to make their operations more efficient or use resources more effectively.Using resources effectively: The resource-based model could be used to identify resources that are unique to public schools, such as teachers and facilities. Public schools can use these resources to provide students with a high-quality education and differentiate themselves from other educational institutions.3. How do the vision statement and mission statement of Public Schools influence its overall success?The vision statement and mission statement of Public Schools are both crucial in influencing its overall success. The vision statement defines where the organization wants to go in the future, while the mission statement outlines how it will get there.Both of these statements can help Public Schools stay focused on its goals and make decisions that align with its values. The vision statement can help Public Schools identify the areas in which it needs to grow and improve, while the mission statement can provide guidance on how to achieve those goals

The different categories of stakeholders who can impact the overall success of Public Schools include:  Parents: Parents are the most critical stakeholders as they influence the enrollment of students. Satisfied parents help in the expansion and growth of Public Schools. Students: Students have the potential to become future brand ambassadors and contribute towards the success of Public Schools. Teachers:

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Globalization and technological changes have impacted Public Schools in a number of ways. The industrial organization model suggests that Public Schools could focus on creating a competitive advantage by leveraging their unique strengths and capabilities. The resource-based model, suggests that Public Schools could earn above average returns by focusing on building a strong internal resource base. The vision statement and mission statement of Public Schools influence its overall success by providing a clear direction for the organization. Student is a category of the stakeholder impacts the overall success of Public Schools.

1. Globalization and technological changes have impacted Public Schools in a number of ways.

One way is through the increased competition that has arisen as a result of globalization. As companies and industries become more global, they often seek to expand their reach into new markets, which can put pressure on local businesses and institutions. This is especially true for Public Schools, which have to compete for students and funding in an increasingly crowded marketplace.

Another way that globalization has impacted Public Schools is through the need for greater collaboration and communication across borders. With more students and teachers coming from different parts of the world, schools have to find new ways to connect and engage with each other in order to promote learning and understanding.

Finally, technological changes have also impacted Public Schools by making it easier to access information and resources online. This has enabled schools to expand their reach beyond the classroom and offer students new ways to learn and explore.

2. The industrial organization model and the resource-based model are two ways that Public Schools could earn above average returns.

The industrial organization model suggests that Public Schools could focus on creating a competitive advantage by leveraging their unique strengths and capabilities. This could include investing in new technologies, developing innovative teaching methods, and partnering with other organizations to provide students with a more holistic learning experience.

The resource-based model, on the other hand, suggests that Public Schools could earn above average returns by focusing on building a strong internal resource base. This could include investing in human capital, developing new curriculum materials, and expanding their network of partners and stakeholders.

3. The vision statement and mission statement of Public Schools influence its overall success by providing a clear direction for the organization.

The vision statement sets out the long-term goals of the organization, while the mission statement outlines the specific strategies and tactics that will be used to achieve those goals. By aligning their actions with their vision and mission, Public Schools can create a clear sense of purpose and direction that helps to motivate and engage students, teachers, and other stakeholders.

4. Each category of the stakeholder impacts the overall success of Public Schools in different ways.

Students, for example, are the primary beneficiaries of the education provided by Public Schools, and their needs and preferences should be a top priority for the organization.

Teachers are also a critical stakeholder group, as they play a key role in delivering the curriculum and shaping the learning experience for students.

Other stakeholder groups, such as parents, government agencies, and the local community, also play important roles in supporting the mission and vision of Public Schools.

By engaging with each of these stakeholder groups and responding to their needs and concerns, Public Schools can build strong relationships and foster a sense of shared ownership and responsibility for the success of the organization.

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The income statement for Natures Way Foods shows gross profit of $152,000, operating expenses of $129.000, and cost of goods sold of $213,000. What is the amount of net sales revenue? A $365,000 OB $342.000 OC $494,000 OD $281,000

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The income statement for Natures Way Foods shows gross profit of[tex]$152,000[/tex], operating expenses of [tex]$129.000[/tex], and cost of goods sold of [tex]$213,000.[/tex]

The amount of net sales revenue can be calculated by using the formula:Net Sales = Gross Sales - Returns Inward - Discount Allowed on SalesWe do not have data on returns inward and discount allowed on sales. So, we will use an alternate formula for calculating Net Sales.

Net Sales = Gross Profit + Cost of Goods SoldOrNet Sales = Operating Expenses + Gross Profit + Cost of Goods Sold Putting the given data into the formula, we get:Net Sales [tex]= $152,000 + $213,000= $365,000[/tex]Therefore, the amount of net sales revenue is A.[tex]$365,000[/tex]

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To understand how people allocate time between work and leisure, consider a model in which a worker consumes leisure ℎ, measured in hours, and a consumption good c. There are T hours that the worker splits between leisure ℎ and work. All the money earned at work is spent on consumption. The price of consumption is pc, and the hourly wage is . Assume that the worker is flexible in how much time they spend at work.
(a) What is the worker’s total income?
(b) What is the worker’s budget constraint? The worker’s utility function is:
(c,ℎ) = 1/ [(1/c)+ (1/ℎ)]
(c) Find demand for leisure ℎ and the consumption good c.
(d) If wages in the economy go up, will the worker spend more time or less time on leisure? What happens to the amount of consumption c?
(e) If consumption becomes more expensive, will the worker spend more or less time at work?

Answers

The worker's total income can be derived from the hourly wage and the number of hours worked. Thus, total income = wT.
The budget constraint of the worker is given by the equation pc(c) + w(T - h) = wT, where pc(c) is the cost of consumption.
The utility function is given by (c, h) = 1/ [(1/c) + (1/h)].
Demand for leisure ℎ is derived by taking the partial derivative of the utility function with respect to ℎ and equating it to zero.∂(c,h)/∂h= -1/h²(1/c+1/h)²=0⇒(1/c+1/h)²=0∴c=hTherefore, demand for leisure is equal to demand for consumption, and it is equal to T/2.
Demand for consumption is derived by taking the partial derivative of the utility function with respect to c and equating it to zero.

[tex]∂(c,h)/∂c= -1/c²(1/c+1/h)²=0⇒(1/c+1/h)²=0∴c=h[/tex]

Therefore, demand for consumption is equal to demand for leisure, and it is equal to T/2pc.
If wages in the economy go up, the worker will spend less time on leisure. The amount of consumption c will increase.

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What is scheduling (forward and backward)? Type of scheduling and MPS (Master production schedule) ?

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Scheduling is an essential part of the production process that involves developing timetables or timelines to ensure that a project is completed on time.

Scheduling can be divided into two categories: forward and backward scheduling. Forward scheduling is the process of determining the earliest date that a task or project can be started, based on the completion date. The scheduling can be of different types such as production scheduling, resource scheduling, work scheduling, employee scheduling, project scheduling, and service scheduling.

The scheduling type is dependent on the nature of the project or task being performed. Scheduling can be divided into two categories: forward and backward scheduling. Master Production Schedule (MPS) is a plan developed by a company to determine the quantity of finished goods that can be produced within a specified period.

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please help with a 30 mark answer question 2 5 categories of negotiation tactics that can be used for Covid-19

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In the face of the current Covid-19 pandemic, negotiation has become more critical than ever in all spheres of life. Below are five categories of negotiation tactics that can be used for Covid-19 negotiations.


This category of negotiation tactics prioritizes win-win outcomes for all parties involved in the negotiation. It is founded on the principles of trust, collaboration, and transparency, and it is essential to building long-lasting relationships. This tactic is useful in times of crisis, such as the Covid-19 pandemic, as it fosters teamwork and collective responsibility in finding solutions.
the Covid-19 pandemic has brought to the fore the importance of negotiation in finding solutions to complex problems. The above categories of negotiation tactics can be employed by stakeholders in the health sector, government agencies, private sector, and other actors involved in Covid-19 negotiations to achieve optimal outcomes.

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What is the present value of a $350,000 cash flow to be received at the end of each of the next 10 years from an account that earns an annual rate of 4% ? PV=?,IV=4;,N=10,FV=350,0w,P(4T=0 PV=236,447,46 13. Repeat above question for annuity due. 14. What is the future value of an ordinary annuity of $72,000 for 4 years, if interest rates are 6 percent? 15. What is the future value of the same annuity due? 16. What is the present value of a $410,000 cash flow to be received at the beginning of each of the next 15 years from an account that earns an annual rate of 9% ?
Previous question

Answers

What is the present value of a $350,000 cash flow to be received at the end of each of the next 10 years from an account that earns an annual rate of 4% ?The present value (PV) of the cash flow can be calculated using the formula for the present value of an annuity.

[tex]PV = (FV x [1 - (1 / (1 + r)ⁿ)]) / rwhereFV = $350,000r = 4% = 0.04n = 10PV = ($350,000 x [1 - (1 / (1 + 0.04)¹⁰)]) / 0.04PV = $2,796,235.55[/tex]

The present value of the $350,000 cash flow to be received at the end of each of the next 10 years from an account that earns an annual rate of 4% is $2,796,235.55.Question 14: What is the future value of an ordinary annuity of $72,000 for 4 years, if interest rates are 6 percent?The future value (FV) of the ordinary annuity can be calculated using the formula for the future value of an annuity.

[tex]FV = PMT x [(1 + r)ⁿ - 1] / rwherePMT = $72,000r = 6% = 0.06n = 4FV = $72,000 x [(1 + 0.06)⁴ - 1] / 0.06FV = $327,829.19[/tex]

The future value of the ordinary annuity of $72,000 for 4 years, if interest rates are 6 percent is $327,829.19.Question 15: What is the future value of the same annuity due?The future value of the annuity due is equal to the future value of the ordinary annuity multiplied by (1 + r).FV(annuity due) = FV(ordinary annuity) x (1 + r)where

[tex]FV(ordinary annuity) = $327,829.19r = 6% = 0.06FV(annuity due) = $327,829.19 x (1 + 0.06)FV(annuity due) = $347,999.12[/tex]

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Organizational conflict is a normal occurrence, although it may not necessarily express openly or in extreme forms. Discuss FOUR (4) strategies for managing conflict....

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Organizational conflict is a normal occurrence that may not necessarily express openly or in extreme forms. Below are the FOUR (4) strategies for managing conflict in an organization:

1. Accommodating: In this method, one party willingly and intentionally gives in to the other party's point of view. This approach is most suitable when the issue is more important to one party than the other.

2. Avoidance: If the problem is minor, or if the parties are not ready to handle the organizational conflict, it is best to avoid it. When postponing the problem, it is essential to communicate with the parties and schedule the conflict resolution meeting for a later date.

3. Collaboration: When both parties need to resolve an issue that is too important, a collaborative approach is the most beneficial. This approach necessitates both parties working together to achieve a win-win situation, and both parties must be willing to give in.

4. Competition: The most aggressive approach to solving conflicts is through competition. This approach necessitates a party's victory over another. In a competitive approach, both parties perceive each other as opponents, and they must use every possible method to win.

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When presented with a M&A proposal. Discuss what factors you
look for when deciding whether to accept or reject this
proposal?

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Financials, strategy fit, culture, synergies, regulations, shareholder value determine the acceptance or rejection of an M&A proposal.

When evaluating a merger and acquisition (M&A) proposal, several factors should be considered to determine whether to accept or reject the proposal. These factors include financial considerations, strategic fit, cultural alignment, potential synergies, regulatory and legal aspects, and shareholder value.

Financial considerations involve assessing the financial health and potential returns of the target company, such as its revenue, profitability, debt levels, and growth prospects. Strategic fit examines how well the merger aligns with the acquiring company's long-term goals, market position, and competitive advantage. Cultural alignment focuses on assessing compatibility between the two organizations in terms of values, corporate culture, and management styles.

Additionally, evaluating potential synergies, both cost-saving and revenue-enhancing, is crucial. Regulatory and legal aspects involve considering any regulatory hurdles or antitrust concerns that may arise from the merger. Lastly, analyzing the potential impact on shareholder value, including stock price, dividends, and overall return on investment, is essential.

Considering these factors helps in making a well-informed decision regarding the acceptance or rejection of an M&A proposal.

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FORUM DESCRIPTION Currently the labor participation rate is lower than usual. What factors could cause it to increase? To decrease?

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The labor participation rate refers to the proportion of the working population within the working age range that is currently working or looking for work. In 2021, the labor participation rate is lower than it usually is, and this is because of the Covid-19 pandemic.

This pandemic led to many job losses, businesses shutting down, and fewer opportunities for people to get employed. However, several factors could cause an increase in the labor participation rate and a decrease in it.
Factors that could cause an increase in labor participation rate:

1. Increase in wages and benefits: One of the factors that could cause an increase in the labor participation rate is when wages and benefits are increased.

2. Increase in job opportunities: An increase in job opportunities is another factor that could cause an increase in the labor participation rate.

Factors that could cause a decrease in the labor participation rate:

1. Increase in the cost of living: An increase in the cost of living could cause a decrease in the labor participation rate.

2. Changes in social norms: Changes in social norms could cause a decrease in the labor participation rate.

An increase in wages and benefits is one of the things that attract people to the labor market. When there are more job opportunities available, people who previously gave up searching for jobs are motivated to start looking for work again.

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Suppose in the market for banana. When the price is \( \$ 2 \), the quantity demanded for banana is 17 , and the quantity supplied is 7 . What's the amount of shortage in the market? Your Answer:

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The amount of shortage in the market is 10 as per the information given about market shortage.

Market shortage refers to a market condition where there is an excess demand for a commodity or service, but the supply is less than the demand. A market shortage arises when the market price of a good or service is less than its equilibrium price.

To determine the market shortage, we need to determine the difference between the quantity demanded and the quantity supplied when the market price is given. The difference between the quantity demanded and the quantity supplied at a given price is known as a market shortage.

Suppose in the market for a banana, when the price is $2, the quantity demanded for a banana is 17, and the quantity supplied is 7.

The amount of shortage in the market:

We have,

Quantity demanded, Qd = 17

Quantity supplied, Qs = 7

Price, P = $2

The market shortage can be calculated by subtracting the quantity supplied from the quantity demanded.

Market shortage = Quantity demanded - Quantity supplied

Market shortage = Qd - Qs

Market shortage = 17 - 7

Market shortage = 10

Therefore, the amount of shortage in the market is 10.

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Quality Management Plan
Date
Project Name:
Introduction
Quality Standards
Metrics
Problem Reporting and Corrective Action Process
Supplier Quality and Control
Quality management plan for real estate business

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Quality Management Plan
Date: October 2021
                                 Project Name: Quality management plan for real estate business

Introduction
The purpose of the Quality Management Plan is to ensure that the real estate business project is completed on time, within budget, and according to the expected quality standards. The plan includes quality standards, metrics, problem reporting, corrective action process, and supplier quality and control.

Quality Standards
The real estate business project should meet the following quality standards:
• All properties should be built according to the approved building plans and specifications.
• All materials used in construction should be of high quality and meet the relevant standards.

Metrics
The following metrics will be used to measure the quality of the project:
• Percentage of completed properties that meet the approved building plans and specifications.
• Percentage of materials used in construction that meet the relevant standards.
• Percentage of completed properties that have been inspected by a qualified inspector.

Problem Reporting and Corrective Action Process
Any problems with the quality of the project should be reported to the project manager immediately. The following corrective action process will be followed:
• The problem will be investigated to determine the root cause.
• A corrective action plan will be developed to address the problem.

Supplier Quality and Control
Suppliers of materials and services for the project will be required to meet the following quality standards:
• All materials supplied should meet the relevant standards.
• All services provided should be of high quality.

In conclusion, the Quality Management Plan for the real estate business project is a critical aspect of the project’s success. It ensures that the project is completed on time, within budget, and according to the expected quality standards.

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Which of the following is NOT a development strategy? A. Good governance. B. Gender equality. C. Trade liberalization. D. Climate change. You were just hired by a company that wants to produce apps that help people become healthier by exercising, eating well, and reducing stress. On which customer motivations would you recommend the company focus? Describe the app you would design, the customer motivation it meets, and why your app is the right design for your potential customers. Your initial post should be a 5-7 sentence paragraph. Stacy is a 47 year old Latinx woman with Schizophrenia who is homeless, is not currently working and gets SSI. Stacy grew up in Orange County and was a regular attendee of punk rock shows in the early 1990s and even played in a few bands. Stacy has a great, albeit wacky sense of humor and likes to make staff and other Members laugh. She has a mother who is somewhat involved in her life but helps from a distance and is not willing to let her stay with her. Stacys mood often swings quite rapidly. One moment she can be in the office making jokes, smiling and laughing but something can trigger her, and she becomes extremely irritated and will start to yell and sometimes even scream. She has been housed at transitional housing places before, but she usually gets kicked out for making a lot of noise and getting into altercations with others. She also uses crystal meth regularly and this has also played a role in her not being able to maintain housing. Stacy has trouble focusing often and she can be hard to redirect when she is feeling frustrated. It isnt uncommon for staff to have to ask her to leave the building for a day due to her getting too disruptive. It often takes several minutes to get Stacy out of the building. Stacy has never been violent or threatening though so she is usually allowed back in the building the next day after staff talk to her. 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Three main departments that consume overhead resources: design, production, and engineering. Given: Usage of cost driver Dept. Cost driver Overhead costs X Y Z Design design hours 29,000 110 200 100 Production Machine hours 250,000 200 2,000 1200 Dept. Cost driver Overhead costs X Y Design design hours 29,000 110 200 100 Production Machine hours 250,000 200 2,000 1200 Engineering Engineering hours 39,000 70 50 230 Production Machine hours 250,000 200 2,000 1200 Engineering Engineering hours 39,000 70 50 230 1- Compute the manufacturing overhead allocated to customer Y using the simple costing system. 2- Compute the manufacturing overhead allocated to customer Z using the ABC costing system. . A capacitor, resistance and inductor in series have an impedance Zs =R+ joL+1/(joC), so the impedance is R when the (angular) frequency is the factor(Q) is . And it is a simple_ filter. Exercise 2: Minimization of scheduling conflicts The transpose of a matrix is formed by interchanging the matrix's rows and columns. Thus the transpose of matrix of 4 2 6 10 A = 6 8 is A' = 10 12 The organizers of an in-house Cloud Computing conference for small consulting company are trying to minimize scheduling conflicts by scheduling the most popular presentations at different times. First the planners survey the ten participants to determine which of the five presentations they want to attend. Then they construct a matrix A in which a 1 in entry ij means that participant i wants to attend presentation j. The following table and matrix (A) give information about the participation. Participant 4 Presentation 1 2 1 1 0 10101 00 1 1 1 10000 3 4 1 0 20 00 11 1 0011 1000 0 V 3 4 It means matrix A= 01101 00000 11000 6 0 1 1 0 1 00000 00000 11000 00101 01010 1 0 1 0 1 00010 7 00101 8 9 01010 10 10 1 0001 0 10 Next the planners calculate the transpose of A(A') and the matrix product of A' x A. In the resulting matrix, entry ij is the number of participants wishing to attend both presentation i and presentation j. We then have A' XA= 4 1202 1 3 11 1 215 15 01131 21515 notice that B = A' x A is symmetric (Bij = Bj, for all i, j), so the entries below the main diagonal (entries i where i < j) need not be calculated. If we supply zeros for the unnecessary entries, the resulting matrix is termed upper triangular matrix. The entries on the main diagonal (Bii) represent the total participants wanting to attend presentation i. (a) Write a C function TotalPart that creates the matrix A of participants preferences, from data received from data read from a file as sequence of couples of integers, where the first couple is such that the first number represent the number of presentation and the second number represents the number of participants and the rest of couples are such that for each couple the first number represents the participant and the second number represents one of the presentations he/she wants to attend; this means a participant can appear several times in the sequence if he/she wants to attend more than one presentation. For example, the file containing the sequence 3 4 1 2 3 4 1 431 24 will produce A = 01 0 0001 0 0 1 C then Cij = (b) Given a matrix T with n rows and p columns and a matrix S with p rows and q columns, if the product T x S is equal to p-1 Tik x Skj, where i=0,1.....n-1 and j = 0,1.....q-1. Given the matrix of preferences A write the function ComputeAtA that computes A x A and saves it in another matrix C, and displays how many participants wish to attend each conference. k=0 (c) Write a C function AvoidBadSchedule that receives as argument the matrix A of preferences, finds the three largest numbers in the entries above the main diagonal of A' x A, and displays on the screen up to three pairs of presentations that the conference committee should avoid scheduling at the same time. You will display fewer than three pairs if one(or more) of the three largest number is 1. (d) Provide a driver program that prompts the user to enter the name (scheduling.txt) the file containing the attendance to presentations sequence as described in (a), and displays the pairs of presentations to be avoided. 6 5